daily basis; Prepare client billings within the monthly deadlines set; Assisting owner and clerks with any
accountants with tax return preparation Code payables for accounts payable clerks to input Reconcile bank
A position has become available for an Accounts Payable Controller to join our dynamic team. To supervise and ensure accurate and timeous reconciliations are submitted. Timeous preparation of monthly, weekly and daily payment batches. Resolve supplier queries in conjunction with the Recon Clerks to